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首页 公告 华塑科技:2024年度财务决算报告

华塑科技:2024年度财务决算报告

公告日期:2025-04-25


                杭州华塑科技股份有限公司

                  2024年度财务决算报告

  2024 年度财务报表按照企业会计准则的规定编制,在所有重大方面公允反映了
公司截至 2024 年 12 月 31 日的财务状况及 2024 年度的公司经营成果和现金流量。
天健会计师事务所(特殊普通合伙)已对公司的财务报表进行了审计,并出具了标准无保留意见的审计报告。 现将公司2024 年度财务决算情况报告如下:

    一、主要财务数据和指标

                                                                      单位:元

            项目                  2024 年            2023 年          本年比上年增减

          营业收入            279,688,538.96    281,563,769.56          -0.67%

归属于上市公司股东的净利润    37,827,354.15      37,806,626.63            0.05%

归属于上市公司股东的扣除非    26,305,250.43      26,708,912.68            -1.51%

    经常性损益的净利润

经营活动产生的现金流量净额    26,043,900.27    -71,438,103.36          136.46%

        基本每股收益                0.63              0.67                -5.97%

        稀释每股收益                0.63              0.67                -5.97%

    加权平均净资产收益率            3.53%              4.40%                -0.87%

            项目                  2024 年末          2023 年末        本年末比上年末增减

          总资产            1,202,406,488.18  1,260,039,724.30          -4.57%

归属于上市公司股东的净资产  1,087,082,116.52  1,060,099,576.04          2.55%

  主要项目变动分析如下:

      经营活动产生的现金流量净额同比增长 9,748.20 万元,主要系经营活动现
  金流入小计增长 11,163.32 万元,原因如下:本期把应收账款的管理作为重中
  之重,采取多种措施促进款项收回,销售回款同比增长 11,774.78 万元。


                                                                      单位:元

                            2024 年 12 月 31 日      2023 年 12 月 31 日

          项目                                                              增减幅度

                                  金额                  金额

        货币资金            351,557,961.31        371,146,358.97            -5.28%

      交易性金融资产          254,121,890.29        373,703,562.21          -32.00%

        应收票据              12,077,446.55        24,468,543.61            -50.64%

        应收账款            256,247,594.66        288,327,989.57          -11.13%

        应收款项融资          12,621,048.37          2,054,608.78            514.28%

        预付款项              4,769,433.01          1,479,392.21            222.39%

        其他应收款            2,638,467.22          6,111,761.43            -56.83%

          存货                99,727,812.05        99,813,211.76            -0.09%

      其他流动资产          116,821,208.67        10,882,918.93            973.44%

    其他权益工具投资          164,646.57          2,000,000.00            -91.77%

        固定资产              58,856,265.50        62,998,506.14            -6.58%

        在建工程              1,607,581.44            2,654.87            60,452.17%

        使用权资产            1,822,838.68          3,603,016.60            -49.41%

          无形资产              827,671.45            973,822.57            -15.01%

        长期待摊费用          3,257,004.95          3,746,303.22            -13.06%

      递延所得税资产          9,038,591.34          7,115,092.31            27.03%

      其他非流动资产          16,249,026.12          1,611,981.12            908.02%

  主要项目变动分析如下:

  (1)交易性金融资产同比减少 32.00%,主要系本期购买了保本保利息理财产品11,000.00 万元,该金额转列至其他流动资产所致。

  (2) 应收票据同比减少50.64%,主要系本期末大型银行承兑汇票较多,其金额转列至应收款项融资所致。

  (3) 应收款项融资同比增加 514.28%,主要系本期收到的大型银行承兑汇票较多所致。


  (4) 预付账款同比增加 222.39%,主要是本期末预付货款有所增加。

  (5) 其他应收款同比减少 56.83%,主要系本期软件产品增值税退税款到账较为及时,期末应收软件退税款较上期末减少所致。

  (6) 其他流动资产同比增加973.44%,主要系本期购买了保本保利息理财产品。
  (7) 其他权益工具投资同比减少 91.77%,主要系被投资单位 2024 年经营业绩
出现较大下滑。

  (8) 在建工程同比增加60,452.17%,主要系总部大楼建设项目前期投入。

  (9) 使用权资产同比减少 49.41%,主要系正常的使用权资产折旧所致。

  (10) 其他非流动资产同比增加 908.02%,主要系本期预付总部大楼的土地款。
    三、主要负债及所有者权益项目重大变动情况

                                                                      单位:元

                              2024 年 12 月 31 日    2023 年 12 月 31 日

          项目                                                              增减幅度

                                    金额                金额

        短期借款                                    6,722,663.60          -100.00%

        应付票据              53,743,565.35        97,792,510.24          -45.04%

        应付账款              33,643,369.64        42,214,960.31          -20.30%

        合同负债              3,982,289.27        2,447,581.51            62.70%

      应付职工薪酬            9,420,081.22        8,758,585.14            7.55%

        应交税费              5,072,206.99        4,890,820.50            3.71%

          其他应付款            2,756,239.09          482,723.63            470.98%

    一年内到期的非流动负债      1,277,224.91        4,460,973.10            -71.37%

        其他流动负债          1,243,263.77          290,924.10            327.35%

        长期借款                                    26,931,827.80          -100.00%

        租赁负债                                    1,277,224.91          -100.00%

          预计负债            1,563,071.36          785,982.34            98.87%

        递延收益              1,567,194.95        2,328,595.06            -32.70%

        递延所得税负债          299,602.37          554,776.02            -46.00%

      其他综合收益            -1,774,420.34          70,393.33            -2,620.72%

          盈余公积            23,849,827.27        19,766,018.25            20.66%